← profit_to_loss (all companies) · CSPI (all signals) · all methodology

profit_to_loss on CSP INC /MA/ (CSPI)

SIC 7373 — Services-Computer Integrated Systems Design · CIK 356037 · default direction: short

Definition

Fires when a previously-profitable company swings to net loss in the current fiscal year. Often early warning of structural problems.

Every time the signal fired on CSPI

FYFiling dateEvent date1d5d20d60d252d
FY20242024-12-202024-12-20+2.75%+13.34%+13.54%+14.21%-11.90%
FY20192019-12-102019-12-10+2.71%+2.71%+3.04%-10.32%-37.60%
FY20152015-12-242015-12-24+3.10%+6.73%-8.25%+0.35%+86.76%

Forward returns are stock returns from event date (next trading day after filing). Sign is raw stock direction; the trade direction is in the calibration table below.

Universe-wide calibration (this signal across all companies)

Horizonn eventsGross stock retHit rateTrade dirNet PnLCost (bps)r/σ net
1d3,667-0.22%+42.21%short-0.13%35-0.02
5d3,667+0.28%+43.50%short-0.21%36-0.01
20d3,616+0.23%+44.16%short+0.79%40+0.04
60d3,386+4.37%+49.00%short-3.72%51-0.06
252d3,297+20.41%+51.05%short-17.43%102-0.13

Net PnL is direction × stock return − round-trip execution cost (5 bps half-spread + ADV-tiered borrow). See profit_to_loss methodology for the full audit.


Data: /api/company/356037/financials